Head of Liquidity Risk Governance
23 hours ago
About the Role
JM Financial, a leading investment bank, is seeking a highly skilled and experienced Liquidity Risk Manager to join its Risk Management team. The successful candidate will be responsible for overseeing the firm's liquidity risk management framework, ensuring compliance with regulatory requirements and maintaining a robust risk culture.
Key Responsibilities
- Develop and implement a comprehensive liquidity risk management framework, ensuring alignment with regulatory requirements and industry best practices
- Provide independent review and challenge on transparency, clarity, and governance of risk appetite framework and key performance indicators for liquidity risk
- Collaborate with regional Treasury, Front Office, Risk Controllers, Risk Managers, Risk Analytics team, and other corporate functions to ensure effective liquidity risk management
- Lead the development and implementation of a regional liquidity risk management framework, policies, procedures, and controls, including risk appetite framework and statements, and liquidity risk limits
- Develop and implement a governance framework on models, non-model estimates, and other infrastructure/tools to assess and monitor liquidity risk
Requirements
- Strong quantitative academic background with postgraduate degree in mathematics or similar
- Strong Treasury experience and/or market-facing experience in Equity and Fixed Income market risk management
- Deep knowledge of equity & fixed income trading products and markets, including equity cash and convertibles, electronic trading, Asia corporate credit, and interest rate derivatives
- Solid understanding of liquidity risk measurement methodologies, including scenario analysis and stress testing
- Experience of new product/business development due diligence and related testing
- Knowledge of local regulatory environments as it pertains to liquidity risk
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